Hello everyone,
I need your opinion.
I have about 50% msci world, 30% sp500, 10% stox 600 and 10% msci India.... does it make sense to include Japan$LCUJ (-0,59 %) to include Japan? Would then be planned the same size with Europe and India.
I am aware of the overweighting of msci and sp500 in the USA and this is intentional.
Thanks for the advice